Debt - Low Duration Fund 2023

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Decizen Rating (Understand the Method):- P: Performance, Q: Quality, UP: Upside Potential
Tata Treasury Advantage Fund
3397.97
2,915
7.1
06 Sep' 05
6.23
4.94
5.02
6.32
96.00
89.52
74.05
63.67
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SBI Magnum Low Duration Fund
3025.53
8,729
7.2
26 Jul' 07
6.12
4.54
5.98
6.81
7.15
70.04
66.03
54.29
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Sundaram Low Duration Fund
3004.94
404
6.1
14 Sep' 04
5.85
6.27
1.46
4.28
5.03
64.62
62.88
59.85
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Invesco India Treasury Advantage Fund
3265.64
1,268
7.5
18 Jan' 07
6.14
4.73
6.22
6.84
7.18
33.98
51.19
47.30
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Aditya Birla Sun Life Low Duration Fund
570.24
10,512
7.2
14 May' 98
6.25
5.08
6.27
6.85
7.17
24.23
28.59
30.52
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ICICI Prudential Savings Fund
464.41
17,852
7.7
27 Sep' 02
7.27
5.58
6.72
7.37
7.70
8.17
17.12
25.20
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Bandhan Low Duration Fund
33.36
5,399
7.2
17 Jan' 06
6.41
4.76
6.12
6.96
7.35
7.92
8.04
8.02
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Kotak Low Duration Fund
2896.17
8,812
7.2
06 Mar' 08
6.32
4.96
6.24
7.2
7.31
7.87
7.98
8.02
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Axis Treasury Advantage Fund
2663.55
4,843
7.4
09 Oct' 09
6.51
5.09
6.41
6.97
7.31
7.81
7.89
7.89
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Nippon India Low Duration Fund
3238.52
6,786
7.5
20 Mar' 07
6.18
5.21
6.06
6.83
7.21
7.71
7.84
7.95
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Canara Robeco Savings Fund
36.41
943
7.3
04 Mar' 05
6.21
4.47
5.82
6.7
7.04
7.61
7.79
7.97
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HSBC Low Duration Fund
24.40
443
7.4
04 Dec' 10
6.09
5.48
5.39
6.82
7.10
7.56
7.67
7.58
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Baroda BNP Paribas Low Duration Fund
34.84
173
7.3
21 Oct' 05
6.15
4.56
5.79
6.51
6.87
7.44
7.62
7.85
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HDFC Low Duration Fund
49.83
14,352
7.1
18 Nov' 99
6.45
5.31
6.27
6.75
6.98
7.42
7.47
7.53
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JM Low Duration Fund
32.07
164
7.2
27 Sep' 06
5.84
10.89
5.15
6.32
7.03
7.33
7.18
7.50
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UTI Treasury Advantage Fund
3050.70
3,349
7.2
23 Apr' 07
6.48
6.78
4.77
6.25
6.76
7.01
7.22
7.50
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LIC MF Savings Fund
34.40
1,145
6.4
04 Jun' 03
5.88
4.97
5.11
6.19
6.48
6.90
7.07
7.18
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DSP Low Duration Fund
17.14
3,198
6.8
10 Mar' 15
6.26
4.73
6.16
NA
6.57
6.73
6.78
NA
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Mirae Asset Savings Fund
1955.55
622
4.5
05 Mar' 08
6.05
4.62
5.31
5.89
6.20
6.08
5.59
5.62
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Mahindra Manulife Low Duration Fund
1418.21
367
5.7
15 Feb' 17
5.9
4.37
5.63
NA
5.56
5.78
5.58
NA
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PGIM India Low Duration Fund
25.58
93
6.1
22 Jun' 07
5.88
3.7
1.35
4.4
5.16
5.62
6.22
6.68
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*Based on the Fund's Ranking within its Category
FAQ's
Every fund is assessed on the following:
  1. Consistent Outperformers : Track record of having generated returns above a benchmark on a 3-year rolling basis. Consistent performers are Green, followed by Orange. Red have an inconsistent track record on outperforming the index.
  2. The average 3-year rolling returns number appears in the first button.
  3. Quality of Portfolio is assessed based on the quality of each stock held. Predominantly high quality stocks get a Green second button, followed by Orange and Red (large amount of risky stocks).
  4. Upside Potential: Every fund is assessed on what returns it could deliver in the next 5 years based on it.
Select the fund that is Green on Performance which shows it has consistently outperformed the index. Select one with a high average 3-year rolling returns - the number in the first button. And select one with a Green rating on Quality-the second button.
Use the Funds Screener and select the category. It shows the funds with Green on Performance and Quality right on the top. The ones with the higher average 3-year rolling returns are ranked the highest. Funds with less than 5 years returns history are colored Grey on Performance. Since the track record is not for an adequately long period they feature lower in the list.
Build a well-diversified portfolio with funds that assures you of a stable growth through market and economic cycles and funds that enhance your portfolio returns over the long run.
  1. Core Funds: Choose from Large cap, Large and Mid cap and Flexicap funds.
  2. Booster Funds
    1. Choose from Mid and Small cap funds.
    2. Select a Sector or Thematic Fund that is likely to outperform in the long term.
Use the Fund Portfolio Analyzer, Sher-ya-Billi to check if your portfolio will deliver healthy returns or disappoint you. Go to Fund Portfolio Analyzer. You can also upload details of your funds in the Portfolio Manager and see the report on this page.
When adding a new fund check how different is the fund compared to your portfolio by using the link in the Right allocation box on the Fund Decision Maker.
Most investors have more, many more funds that they should-over diversified. This tends to reduce returns. Many investors have more of the same i.e. they have funds that have very similar portfolios and hence the fund portfolio is not well-diversified. Either there are too many large cap dominated funds or far too many mid and small cap funds. What you require is a good, balanced mix. Finally investors don't know when to exit a fund and end up carrying it even though the future upside potential is very low.